See the imbalance before it costs you.
Grid and portfolio imbalance up to 48 hours ahead — adaptive retraining, probabilistic risk levels, correlation mapping and anomaly detection, refreshed hourly.
NEWEST RELEASE · IN LIVE TESTING IN THE TURKISH MARKET
WHAT YOU GET
●System and portfolio imbalance direction and magnitude, up to 48 hours out
●Probabilistic risk levels per hour, so you know which hours matter
●Correlation mapping across assets — because one weather front moves your whole portfolio at once
●Anomaly detection on system conditions
●Hourly refresh as new market data lands
WHY IT'S DIFFERENT
Almost every competing product forecasts generation and stops. Imbalance is where the penalty actually lands, and it depends on the market's behaviour as much as your own. Modelling it is a separate discipline — and it's the one we've built for.
Two weeks from signature to live in shadow mode. No hardware, no integration, no trading risk during the pilot.Book a demo ↗